Management Team


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Mark McGlone
President, Chief Investment Officer
Industry Experience: 36 years
B.A., Johns Hopkins University
M.S., Loyola University, Maryland

Mark is president and chief investment officer of PNC Capital Advisors. He is responsible for PNC's multi-strategy investment management organization that provides investment solutions across a wide array of investment vehicles, styles, and asset classes. Prior to being named to this position in May 2014, he served as managing director and chief risk officer. He also was chairman of the Risk Committee and a member of the firm- and enterprise-wide investment and operational committees. Mark joined PNC in 2007 through its acquisition of Mercantile Safe Deposit & Trust, where he began his career in 1981, and was appointed senior vice president and head of taxable fixed income for PNC Capital Advisors. In 2009, he became director of Taxable Fixed Income Risk Management, Trading, and Credit Analysis. Mark earned a Bachelor of Arts degree in political economy from Johns Hopkins University and a Master of Science degree in finance from Loyola University-Maryland.

Risk Management

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William D. Mennonna
Managing Director, Chief Risk Officer
Industry Experience: 32 years
B.A., Salve Regina University
B.S., Salve Regina University
M.S., New York University

Bill is managing director and chief risk officer of PNC Capital Advisors, LLC. He oversees the firm-wide risk management efforts, including investment, business, operational, and regulatory risks. He also oversees the firm?s portfolio trade compliance function. Prior to joining the firm in 2014, Bill spent six years as the director of risk management with Pioneer Investment Management USA, Inc. In that post, he headed the enterprise-wide risk management framework for PIM USA and its subsidiaries. He also held the position of director of internal audit for seven years at PIM USA. Bill?s extensive risk and audit experience in the financial industry stretches to 1985. He served previously as acting audit director and as audit manager with Investors Bank and Trust Company and as an auditor with New England Financial. Bill earned both a Bachelor of Science degree in Administration of Justice and a Bachelor of Arts degree in political science from Salve Regina University, and a Master of Science in Risk Management from New York University, Stern School of Business. He is a member of the Investment Company Institute?s Chief Risk Officer Committee.

Investment Management

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Aneet Deshpande, CFA
Managing Director, Multi-Asset Solutions
Industry Experience: 20 years
B.S.B.A., University of Louisville

Aneet is a managing director and lead portfolio manager of the firm's multi-asset solutions. He has more than 18 years of investment management and trading experience. Previously he served as the firm's head of trading and as chairman of the Asset Allocation Committee. He rejoined the firm in 2016 from HPM Partners, LLC where he was a partner and a member of the investment management team. Prior to joining PNC Capital Advisors, he traded quantitative strategies for Chicago Equity Partners, a boutique quantitative asset management firm. Aneet holds a Bachelor of Science degree in business administration from the University of Louisville and is a CFA charterholder.

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Adam Mackey
Managing Director, Municipal Fixed Income
Industry Experience: 21 years
B.S.B.A., Kutztown University
M.B.A., St. Joseph's University

Adam is head of Municipal Fixed Income and a senior portfolio manager. In his role as a managing director, he supervises credit and quantitative research, portfolio management and trading, and municipal client relations. Adam is responsible for establishing the municipal fixed income strategy for the firm, and, as a senior portfolio manager, he oversees trading and strategy implementation in the municipal bond mutual funds, institutional municipal portfolios, and separately managed municipal accounts. Prior to joining the firm in 2001, he was a fixed income trader at the Vanguard Group where he focused on municipal bonds and derivatives. Adam earned a Bachelor of Science in Business Administration degree from Kutztown University and an M.B.A. in finance from St. Joseph's University. He is a member of various industry organizations, including the CFA Society of Philadelphia.

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James E. Mineman
Managing Director, Co-Lead Portfolio Manager
Industry Experience: 23 years
B.S.B.A., Southern Illinois University
M.A., St. Louis University

James, a managing director, is a co-lead portfolio manager of the Select Equity investment team that manages the Small Cap Equity strategy. He specializes in managing the team's equity research process. Consistent with the generalist approach, he serves in the capacity of analyst and portfolio manager. James, who joined the firm along with the team in 2004, has been with the core team since its founding in 1994. He earned a Bachelor of Science in Business Administration degree with a specialization in finance from Southern Illinois University and a Master of Finance degree from St. Louis University.

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Hitesh C. Patel, Ph.D.
Managing Director, Structured Equity
Industry Experience: 24 years
B.S., University of Gujarat
M.S., Bombay University
Ph.D., University of Illinois, Chicago

Hitesh, a managing director, leads the Structured Equity team. Prior to joining the firm in 2005, he served as director of quantitative research at Harris Investment Management. His quantitative research and portfolio management experience extends back to 1994. Hitesh earned a Bachelor of Science degree in pharmacy from University of Gujarat, a Master of Science degree in pharmaceutical chemistry from Bombay University, and a Ph.D. in medicinal chemistry from University of Illinois at Chicago.

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Sean T. Rhoderick, CFA
Chief Investment Officer, Taxable Fixed Income
Industry Experience: 23 years
B.B.A., James Madison University

Sean, a managing director, is the chief investment officer for Taxable Fixed Income. Sean leads the strategy and performance for all taxable fixed-income investments. He has more than 20 years of experience in research and fixed income. Prior to joining the firm in 2004, Sean spent six years at Freddie Mac in credit research and four years as a bank credit analyst at the rating agency LACE Financial Corporation. Sean graduated cum laude from James Madison University with a Bachelor of Business Administration degree and holds the Chartered Financial Analyst designation. He is a member of the CFA Institute and serves on the Baltimore CFA Society's Board of Directors.

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Douglas J. Roman, CFA, CMT
Managing Director, Large Cap Advantage Equity
Industry Experience: 31 years
B.S., Penn State University
M.S., Drexel University

Doug, a managing director, developed the Large Cap Advantage Equity investment process and is the portfolio manager for the Large Cap Advantage core, growth, and value portfolios. In addition, he serves as a portfolio manager for the Multi-Factor All Cap, Large Cap Growth, and Large Cap Value Funds. He is responsible for directing the quantitative efforts of the Large Cap Advantage team and overseeing the respective research group. Prior to joining the firm in 2002, he worked for Penn Street Advisors Inc., the Penn Street Funds, The Vanguard Group, Rittenhouse Financial Services, and CoreStates Investment Advisors. Doug holds the Chartered Financial Analyst designation and is a Chartered Market Technician. He is a member of the Financial Analysts of Philadelphia and also serves on Drexel University's Finance Advisory Council. He earned a Bachelor of Science degree in finance from Penn State University and a Master of Science degree in finance from Drexel University.

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Martin C. Schulz, J.D.
Managing Director, International Equity
Industry Experience: 23 years
B.A., Cornell University
M.B.A., George Washington University
J.D., George Washington University
M.S.S., U.S. Army War College

Martin, a managing director, leads the firm's International Equity team. He formulates strategy and maintains final authority over all investment decisions. Martin's industry experience extends to 1995 and includes positions in equity research and portfolio management. Prior to joining the firm in 1998, he was a portfolio manager with National City Corporation. Martin, who is fluent in German and conversant in French, has traveled to more than 70 countries. Martin earned a Bachelor of Arts degree in international relations from Cornell University, graduating magna cum laude. He received an M.B.A. in international business and a J.D. from George Washington University, and a Master of Strategic Studies from the U.S. Army War College. He also has served as a colonel in the U. S. Army and was honored as a 1999 General MacArthur Junior Officer Leadership Award winner.

Sales, Client Service and Consultant Relations

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Holly R. Harrison
Managing Director, Head of Consultant Relations, RFP, and Mandate Business Strategy and Sales

Industry Experience: 20 years
B.A., Johns Hopkins University

Holly leads the Institutional Mandate business for PNC Capital Advisors, incorporating Consultant Relations, RFP, and Mandate Business Strategy and Sales. She is responsible for elements of institutional sales, as well the formulation and execution of the long-term strategic plan for the organization. She focuses on expanding existing client and consultant relationships, building new partnerships, and coordinating sales, marketing, and product management activities to achieve business goals. In addition, as sales director, she works with the regional directors and others to create new client solutions for PNC Capital Advisors. Holly has nearly 20 years of industry experience with roles across all major institutional asset management disciplines including investments, product management, marketing, sales, and client service. Her organizational experience includes positions at Strong Capital Management, Inc., Rockhaven Asset Management, and Legg Mason Capital Management. Holly earned a Bachelor of Arts degree in international relations and economics from Johns Hopkins University.

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Timothy McDonough, CFA
Managing Director, Client Service
Industry Experience: 36 years
B.A., Georgetown University
M.B.A., Boston College

As managing director for client service, Tim is responsible for the performance and structure of the firm’s separately managed client portfolios. Tim has over 25 years of investment experience focused on institutional clients. His professional experience includes portfolio management, research, underwriting and investment strategy. Tim joined the firm or its predecessor in 1997. A CFA charterholder, Tim holds a B.A. in economics from Georgetown University and an M.B.A. from Boston College.

Administration and Product Management

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Jennifer Spratley, CPA
Managing Director, Administration
Industry Experience: 26 years
B.S., Lehigh University

Jennifer is the managing director of administration for PNC Capital Advisors (PCA) and PNC Realty Investors (PRI). In this capacity, she manages and oversees the planning and execution of PCA and PRI business initiatives through partnerships with executive management, the firm's other teams, and PNC business partners. She is responsible for leading the PCA Administration and PCA Fund Administration teams, as well as the PRI non-investment functions. Jennifer manages strategic projects and monitors regulatory and compliance-related developments, advising executive management and the business on their impact. She also serves as the president of the PNC Funds and PNC Advantage Funds. Previously, Jennifer served as managing director and head of PCA's Fund Administration team. Prior to that, she served as vice president and treasurer to PNC Funds, PNC Advantage Funds, and PNC Alternative Investment Funds. Before joining the firm in 2007, she served as the unit leader of Fund Accounting and Administration for SEI Investments Global Funds Service Accounting and Valuation Processing team. Jennifer managed various back-office functions for domestic mutual funds sponsored by SEI's registered investment adviser clients. Earlier, she was a senior manager in the financial services division of Ernst & Young, LLP, responsible primarily for investment company audit engagements. Qualified as a certified public accountant, Jennifer earned a B.S. in business and economics from Lehigh University.

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Keith D. Weigel, CFA
Managing Director, Product Management
Industry Experience: 31 years
B.A., State University of New York, Buffalo
M.B.A., State University of New York, Buffalo

Keith leads the product management team. He works closely with portfolio managers, distribution, marketing and compliance to align priorities, derive competitive positioning and develop and refine the firm's investment products. His extensive experience with a wide range of client segments facilitates the development of pertinent style and product customization. Before assuming the product management position, Keith was regional director of client service for the state of Michigan. Previously, he was a relationship and portfolio manager with JPMorgan Asset Management, responsible for clients and portfolios across a variety of segments. Keith, who joined the firm or its predecessor in 2006, earned a Bachelor of Arts degree in economics and an M.B.A. with a concentration in finance from the State University of New York at Buffalo.